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Stock Style shows hedge fund manager's main investment focus in Value or Growth. It is determined based on analysis of portfolio holdings that are part of about 3000 US Stocks.
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Market Cap
Large
Value
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Small
Growth
30
1
1
1
1
0
17
2
0
CROSSVAULT CAPITAL MANAGEMENT LLC

Time Period2017-12-31

Total Holdings63

Total Value ($x1000)189,646
Activities
New2

Increased14

Unchanged18

Decreased29

Sold Out1

Top 10 Stock Holdingstotal 43.28%
AAPL5.83

AMZN5.31

BA5.21

UNH4.26

BMY4.15

 
PNC3.91

HON3.81

LMT3.75

JNJ3.59

JPM3.46

-- hover over a symbol below for details --
SEC 13F
Filing
Detail
Sort:
AAPL
5.83%
COM
AMZN
5.31%
COM
BA
5.21%
COM
UNH
4.26%
COM
BMY
4.15%
COM
PNC
3.91%
COM
HON
3.81%
COM
LMT
3.75%
COM
JNJ
3.59%
COM
JPM
3.46%
COM
MSFT
3.4%
COM
V
3.35%
COM CL A
GOOGL
3.17%
CAP STK CL A
UTX
3.13%
COM
ROK
3.12%
COM
COP
2.78%
COM
CLX
2.77%
COM
SBUX
2.31%
COM
PG
2.17%
COM
NKE
2.03%
CL B
LUV
2.01%
COM
GILD
1.92%
COM
EXPE
1.82%
COM NEW
INTC
1.69%
COM
T
1.65%
COM
CAT
1.51%
COM
PEP
1.45%
COM
CVX
1.28%
COM
SLB
1.13%
COM
CRM
1.12%
COM
KMB
1.04%
COM
WMT
1.03%
COM
XOM
0.94%
COM
HD
0.91%
COM
SPY
0.76%
TR UNIT
MCHP
0.73%
COM
PFE
0.62%
COM
ABBV
0.58%
COM
LLY
0.56%
COM
IBM
0.51%
COM
IWR
0.47%
RUS MID-CAP ETF
IWM
0.47%
RUSSELL 2000 ETF
MCD
0.38%
COM
OXY
0.37%
COM
F
0.34%
COM PAR $0.01
FB
0.31%
CL A
CFR
0.31%
COM
BRK.B
0.3%
CL B NEW
MON
0.26%
COM
IXN
0.21%
GLOBAL TECH ETF
BCE
0.21%
COM NEW
DWDP
0.18%
COM
ICF
0.15%
COHEN&STEER REIT
SYY
0.14%
COM
GD
0.14%
COM
KIM
0.14%
COM
GE
0.14%
COM
SO
0.14%
COM
VIG
0.13%
DIV APP ETF
CMI
0.12%
COM
RTN
0.11%
COM NEW
KRE
0.11%
S&P REGL BKG
AMLP
0.07%
ALERIAN MLP
EPD
0.12%
COM